Remedying Non-Compliance Sample Clauses

Remedying Non-Compliance. If the University determines that any Licensee or contractor has violated or failed to remedy a violation of this Code, the University will consult with the Licensee to determine the appropriate measure to be taken. The remedy will include, at a minimum, requiring the Licensee to take all steps necessary to correct the violation. If consultation and agreed upon measures fail to adequately resolve the violation within a specified time period, the University and the Licensee will implement a corrective action plan on terms acceptable to the University. The University reserves the right to terminate its relationship with any Licensee at the time a License agreement expires, with or without cause. It is the University’s policy to terminate its licensing relationship with any firm that continues to conduct its business in violation of this Code or of a corrective action plan.
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Remedying Non-Compliance. Should either party identify any material non-compliant with this Agreement, the Operating Policies, or any other significant issue with the performance of the other party’s obligations, the non-complying party shall, within sixty (60) days of receipt of written notice from the complaining party specifying the particulars of the non-compliance or performance issue, do all things necessary to correct the non-compliance or performance issues so specified, in addition to cooperating with the representatives of the complaining party in respect of any corrective actions or measures determined necessary. - Each such notice shall be addressed to the full board of directors, include a description, a timeline for the response to and completion of the corrective actions or measures set forth therein. - Should the non-complying party determine that the issue is not one of non-compliance but of interpretation of the underlying obligation, the non-complying party shall, within thirty (30) days of receipt of the notice, inform the complaining party of their position with respect to the non-compliance. - Should a Branch fail to correct any non-compliance or address the performance issues identified through the process to the satisfaction of CPF, acting reasonably, then the National Board of CPF, by a special resolution, may place the Branch on probation. This decision will be communicated in writing to the Network.
Remedying Non-Compliance. (a) Should either party (in this Section VII, the “complaining party”) identify any material non-compliance with this Agreement, the Network Policies, or any other significant issue with the performance of the other party’s obligations hereunder (the “non-complying party”), the non-complying party shall, within thirty (30) days of receipt of written notice from the complaining party specifying the particulars of the non-compliance or performance issue, do all things necessary to correct the non-compliance or performance issues so specified, in addition to cooperating with the representatives of the complaining party in respect of any corrective actions or measures determined necessary. Each such notice shall include a description of, a timeline for the response to and completion of the corrective actions or measures set forth therein.

Related to Remedying Non-Compliance

  • Non-Compliance Any Products or Services that are not in conformity with the requirements of an Order (“Non-Complying Products” and “Non-Complying Services”, respectively), may be returned at DXC’s option at Supplier’s risk and expense. DXC may procure similar Products or Services in substitution for the Non-Complying Products or Services, and Supplier shall refund the cost of the Non-Complying Products and Service and reimburse DXC upon demand for all additional costs incurred by DXC.

  • OSHA Compliance To the extent applicable to the services to be performed under this Agreement, Contractor represents and warrants, that all articles and services furnished under this Agreement meet or exceed the safety standards established and promulgated under the Federal Occupational Safety and Health Law (Public Law 91-596) and its regulations in effect or proposed as of the date of this Agreement.

  • HIPAA Compliance If this Contract involves services, activities or products subject to the Health Insurance Portability and Accountability Act of 1996 (HIPAA), the Contractor covenants that it will appropriately safeguard Protected Health Information (defined in 45 CFR 160.103), and agrees that it is subject to, and shall comply with, the provisions of 45 CFR 164 Subpart E regarding use and disclosure of Protected Health Information.

  • Significant Non-Compliance a) A Competent Authority shall notify the Competent Authority of the other Party when the first-mentioned Competent Authority has determined that there is significant non-compliance with the obligations under this Agreement with respect to a Reporting Financial Institution in the other jurisdiction. The Competent Authority of such other Party shall apply its domestic law (including applicable penalties) to address the significant non-compliance described in the notice.

  • Notice of Non-Compliance If for any reason the Contractor does not comply, or anticipates that it will be unable to comply, with a provision in this Schedule in any respect, the Contractor must promptly notify the Province of the particulars of the non-compliance or anticipated non-compliance and what steps it proposes to take to address, or prevent recurrence of, the non-compliance or anticipated non-compliance.

  • CEQA Compliance The District has complied with all assessment requirements imposed upon it by the California Environmental Quality Act (Public Resource Code Section 21000 et seq. (“CEQA”) in connection with the Project, and no further environmental review of the Project is necessary pursuant to CEQA before the construction of the Project may commence.

  • Notification of Non-Compliance If Seller is unable to comply with the obligations stated in this Section, Seller shall promptly notify Apple, and Apple may take any one or more of the following actions: (i) suspend the transfer of Confidential Data to Seller; (ii) require Seller to cease processing Confidential Data; (iii) demand the secure return or destruction of Confidential Data; and/or (iv) immediately terminate this Agreement.

  • ADA Compliance A. The Americans with Disabilities Act (42 U.S.C. § 12101, et seq.) and the regulations thereunder (28 C.F.R. § 35.130) (“ADA”) prohibit discrimination against persons with disabilities by the State, whether directly or through contractual arrangements, in the provision of any aid, benefit, or service. As a condition of receiving this Agreement, the Company certifies that services, programs, and activities provided under this Agreement are and will continue to be in compliance with the ADA.

  • Non-Compliant Work Should the A/E and/or the ODR identify Work as non-compliant with the Contract Documents, the ODR will communicate the finding to the Contractor and the Contractor will correct such Work at its expense. The approval of Work by either the A/E or ODR does not relieve the Contractor from the obligation to comply with all requirements of the Contract Documents.

  • PCI Compliance A. The Acquiring Bank will provide The Merchant with appropriate training on PCI PED and/or DSS rules and regulations in respect of The Merchants obligations. Initial training will be provided and at appropriate intervals as and when relevant changes are made to such rules and regulations.

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